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iShares US Medical Devices ETF

Name Holding Trade Value Shares
Change
Change in
Stake
ACM
126
Avalon Capital Management
California
-$1.81M -80,250 Closed
RA
127
RFG Advisory
Alabama
-$941K -41,658 Closed
VF
128
Virtu Financial
New York
-$789K -34,932 Closed
FA
129
FDx Advisors
Illinois
-$553K -24,456 Closed
Bessemer Group
130
Bessemer Group
New Jersey
-$432K -19,110 Closed
HIIFS
131
Harel Insurance Investments & Financial Services
Israel
-$334K -14,796 Closed
BTS
132
BB&T Securities
Virginia
-$211K -9,378 Closed
CG
133
Caprock Group
Idaho
-$201K -8,904 Closed
CG
134
Cutler Group
California
-$71.4K -3,000 Closed
AIM
135
Advantage Investment Management
Iowa
-$14K -600 Closed
SAM
136
Shamrock Asset Management
Texas
-$10K -450 Closed